Steadi is a low-risk portfolio optimizer for beginner investors. Enter a few stock tickers, set your risk-free rate, and Steadi runs Markowitz mean-variance optimization to show you exactly how much to allocate to each stock for the most stable risk-adjusted mix- no finance degree required.
I'm a high schooler who got tired of hearing "just diversify" without anyone explaining how much actually to put where. So I built Steadi, a tool that runs the same Markowitz mean-variance math hedge funds use, but for anyone starting. Give it a few tickers and your risk tolerance, and it tells you exactly how to split your money for the most stable portfolio. I'd love honest feedback on whether the output is intuitive. What would make you trust a tool like this more?
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